Nomura Funds Ireland plc - India Equity Fund Class A USD

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Fondens performance30-04-2024
Vækst af 1.000 (DKK) Avanceret graf
Nomura Funds Ireland plc - India Equity Fund Class A USD
Fond0,254,0-11,024,810,3
+/-Kat-3,518,4-5,46,20,4
+/-Indeks-18,1-9,76,7-1,3
 
Oversigt
Seneste NAV
15-05-2024
 USD 195,88
Kursændring 1 dag -0,22%
Morningstar Kategori™ Aktier - Indien
ISIN IE00B1L8MC56
Markedsværdi i alt (mio.)
15-05-2024
 USD 1843,57
Seneste TNA(mio.)
15-05-2024
 USD 4,89
Emissionstillæg 5,00%
Løbende omkostning
06-02-2023
  1,70%
Investeringsstrategi Aktiv
Investeringsmålsætning: Nomura Funds Ireland plc - India Equity Fund Class A USD
The investment objective of the Sub-Fund is to achieve long-term capital growth through investment in an actively managed portfolio of Indian securities. The Sub-Fund shall invest, under normal market conditions, primarily in Equity and EquityRelated Securities listed or traded on a Recognised Exchange in India. The Sub-Fund may invest in Equity and Equity-Related Securities listed or traded on any Recognised Exchange outside India provided that the business activities of the issuers of such securities are in India. The Sub-Fund may also hold exposure to India through investment in such instruments as American Depositary Receipts (ADRs) and Global Depositary Receipts (GDRs) (as further described in Section 8 of this Supplement) and which may be listed on any Recognised Exchange outside India. It is anticipated that the Sub-Fund will invest across the entire range of capitalisations (from small cap to large cap).
Returns
Løbende afkast15-05-2024
År til dato6,92
3-år ann.18,43
5-år ann.14,70
10-år ann.-
12 mdrs. udbytte i pct. 0,00
Management
Manager navn
Startdato
Vipul Mehta
15-01-2007
Startdato
11-05-2017
Annonce
Kategoribenchmark
Fondens indeksMorningstar indeks
MSCI India NR USDMorningstar India TME NR USD
Target Market
Role In Portfolio
Standalone / CoreIkke specifik
ComponentIkke specifik
AndetIkke specifik
Primary Objective
BevarelseNej
VækstJa
IndkomstJa
HedgingIkke specifik
AndetIkke specifik
Formuefordeling  Nomura Funds Ireland plc - India Equity Fund Class A USD30-04-2024
Morningstar stylebox®
Aktiestil
Aktivfordeling
  % Lang% Kort% Netto
Aktier95,680,0095,68
Obligationer0,000,000,00
Kontant o. lign.7,963,634,32
Andet0,000,000,00
Top 5 regioner%
Asien - Nye markeder100,00
USA0,00
Canada0,00
Latinamerika0,00
Storbritannien0,00
Top 5 sektorer%
Finans21,99
Industri15,74
Cyklisk forbrug14,13
Ejendomme10,68
Materialer9,61
Top 5 placeringerSektor%
ICICI Bank LtdFinansFinans8,62
Reliance Industries LtdOlie og gasOlie og gas8,20
Macrotech Developers LtdEjendommeEjendomme4,57
UltraTech Cement LtdMaterialerMaterialer4,36
Larsen & Toubro LtdIndustriIndustri4,22
Nomura Funds Ireland plc - India Equity Fund Class A USD

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